SGLYX

SEI Institutional Managed Trust Global Managed Volatility Fund SGLYX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode SGLYX STVYX TMMAX ARYVX EEMAX RPGAX PORIX PORTX DGLAX DGLCX
6M 8.37 % 8.37 % 8.37 % 9.69 % 30.21 % 14.39 % 21.41 % 21.23 % 15.87 % 15.38 %
YTD 12.77 % 9.01 % 9.01 % 8.57 % 28.00 % 12.78 % 16.02 % 15.80 % 6.50 % 5.43 %
1Y 1.79 % -13.30 % -13.30 % 0.07 % 21.51 % 5.74 % -0.30 % -0.31 % -4.66 % -6.38 %
3Y 14.36 % -4.73 % -4.68 % 34.72 % 65.00 % 33.20 % 25.96 % 26.14 % 5.87 % 0.47 %
5Y 8.27 % 8.50 % 8.49 % 13.62 % 1.53 % 17.85 % 20.10 % 20.24 % -11.21 % -17.34 %
10Y -0.44 % 27.83 % 27.90 % 18.76 % 79.50 % 55.28 % 72.33 % 72.95 % 14.20 % 4.86 %
From the beginning 6.15 % 29.89 % 83.73 % 39.30 % -6.87 % 70.08 % 83.74 % 202.38 % 71.76 % 53.68 %

Dividend

SEI Institutional Managed Trust Global Managed Volatility Fund

SEI Institutional Managed Trust Tax-Managed Managed Volatility Fund

SEI Institutional Managed Trust Tax-Managed Volatility Fund Class F

American Century Global Real Estate Fd Inv Cl

Columbia Emerging Markets Fund Class A

T. Rowe Price Global Allocation

Trillium ESG Global Equity Fund Institutional Class

Trillium ESG Global Equity Fund Retail Class

BNY Mellon Global Stock Fund - Class A

BNY Mellon Global Stock Fund - Class C